- Compare:
Red_Ant's style
- Financial 75.79%
- Basic Materials 7.45%
- Consumer Goods 5.82%
- Healthcare 5.82%
- Other 5.13%
Red_Ant's bio
- Risk Group(2.5/10) Low Risk
- RankTop 55%
- Member SinceMay 08
- Return 1 Month-0.81%
- Return 3 Months-5.13%
- Return YTD-0.72%
- Trades/Month0.55
“Doubt may be unpleasant but certainty is absurd.„
Red_Ant's major holdings
- % of Portfolio
- SPDR DB International Government InflationProtected Bond ETF8.25%
- PowerShares Emerging Markets Sovereign Debt Portfolio8.14%
- Calamos Convertible and High Income Fund8.07%
- Aberdeen AsiaPacific Income Fund Inc8.05%
- Nuveen Insured Municipal Opportunity Fund Inc.8.01%
- PowerShares Dynamic Biotechnology & Genome Portfolio5.96%
- Potlatch Corp.5.82%
- GlaxoSmithKline plc5.81%
- Rayonier Inc.5.68%
- Covanta Holding Corp.5.49%